10th Edition Model Risk Management for Financial Institutions EMEA      

June 1  –  3, 2026 | Paris, France

Transform model risk management strategies to strengthen oversight, governance, and compliance across the portfolio

The Marcus Evans 10th Edition Model Risk Management for Financial Institutions EMEA conference will explore the evolving landscape of model risk management amid advancing AI, GenAI, and ML applications. Sessions cover reshaping frameworks, validation practices, and inventory management to ensure robust governance, transparency, and regulatory compliance. Participants will examine harmonizing traditional and emerging models, addressing challenges like non-deterministic outputs, model drift, and ethical decision-making. Practical strategies for risk-based validation, tiered classification, and automated performance reporting will be shared, alongside guidance on SS1/23, the EU AI Act, and integrating compliance with operational efficiency across complex model portfolios.

 

Topics Covered:

  • Examine strategies for automating validation workflows to manage diverse model inventories efficiently
  • Harmonize AI and traditional models to enhance governance standards and strengthen enterprise oversight
  • Adapt model governance to SS1/23 by strengthening proportionality, materiality, and DQM oversight
  • Compare model risk management approaches in banking and asset management considering regulatory requirements and compliance strategies
  • Optimize model inventory workflows to improve governance, efficiency, and risk oversight
  • Drive innovation in model risk management by strengthening cross-functional collaboration across the three lines of defence

Best Practices and Case Studies from:

  • Kenza Bouzoubaa, Head of Group Model Risk Governance, Emirates NBD
  • Grazia Rapisarda, Global Head of Model Risk Governance, Nomura
  • Philip Preuß, Global Functional Head of Independent Model Review, Wholesale IRB, HSBC
  • Katarina Ocokoljic, Head of Model Risk, NatWest
  • Marie-Benoite Ould-Ferhat, Global Head of Model Risk, Natixis Investment Managers
  • Gilles Artaud, Head of Model Risk Audit, Groupe Crédit Agricole

 

Special discounts available to Global Risk Community members! For more information please contact: Stefanos Ioannou, Digital Media and PR Executive at stefanosi@marcusevanscy.com  or visit: https://tinyurl.com/5n699vby

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